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Sr Manager - Capital Management

4.00 to 5.00 Years   Bangalore   24 Mar, 2021
Job LocationBangalore
EducationNot Mentioned
SalaryNot Disclosed
IndustryBanking / Financial Services
Functional AreaFinance / Accounts / Tax,Sales / BD
EmploymentTypeFull-time

Job Description

The Capital Management group within Global Treasury is responsible for the following functional areas: Capital Policy, Capital Planning, Capital Structure, Rating Agency relationships, Stress Testing and end-to-end program management for the Federal Reserve s annual Comprehensive Capital Analysis and Review (CCAR). Besides that the Capital Management team is responsible for coordinating and managing internal capital adequacy assessments (e.g. ICAAP) for various entities of State Street.This position is within the Financial Modeling and Analytics Team in Capital Management and will be a key contributor to State Streets CCAR,iCAAP and Recovery and Resolution Planning (RRP) submissions.Primary duties and responsibilities: oDesign, own and maintain complex excel-based financial models for State Street s RRP,ICAAP and CCAR executionsoCoordinate and support production process including collection of data inputs across work streams and staging for inclusion in CCAR,ICAAP and RRP modelsoProduce and analyze stress results, encompassing preparation of meeting materials and presentation to working groups & management committeesoCollaborate with CCAR IT infrastructure to automate data collection, modeling and reporting processesoSupport requests from Audit, Model Validation Group, and other oversight teams to drive effective risk managementoInitiate process improvements across existing CCAR and RRP frameworkoPrepare ad-hoc analyses as requested by senior management, with the ability to translate detailed information into concise, actionable itemsQualifications, skills and experience: oBachelor s degree with a concentration in business, finance, economics or accountingoExperience in financial services with exposure to PPNR, RRP, capital management, and capital forecasting, finance, or risk managementoStrong financial modeling and analytical skills with comfort building models and performing ad-hoc analysesoHigh degree of attention to detail and focus on error-free executionoStrong oral and written communication skills with the ability to convey complex concepts through presentations to diverse groups across the organizationoProficient in MS Office, particularly Excel and PowerPoint,

Keyskills :
ms officestress testingdata collectionmodel validationcapital adequacyit infrastructureanalytical skillscommercial modelscapital structurefinancial servicescapital managementfinancial modelingcapital forecasting

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